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1.
文章的特色和理论意义在于,尝试量化"一带一路"沿线18个省份"一带一路"相关政策文件,以设计政策效力、政策措施与政策保障的评判要点为基础,确定政策措施强度和政策保障强度.细致讨论"一带一路"文件的政策强度与经济开放度提升之间的关系,并讨论该关系在东西部地区的差异以及政策保障强度在政策措施强度与经济开放度关系之中的调节效应.研究发现:政策措施强度能够正向促进省域经济开放度的提升;在经济开放度高于10%的省份中,政策保障强度正向调节政策措施强度与经济开放度提升之间的关系,政策措施强度和政策保障强度之间存在互补关系;政策措施强度中资金融通强度对于沿线省域经济开放度的提升有着最显著的正向影响,政策沟通强度对于沿线省域经济开放度的提升影响不显著;政策措施强度对省域经济开放度的提升存在地区差别,西部地区更注重"一带一路"倡议所带来的机会.建议:"一带一路"沿线省份在政策设计上,不仅要对政策沟通、设施联通、贸易畅通、资金融通和民心相通等内容作出合理规划和布局,还应对保障机制作出可操作性的安排. 相似文献
2.
针对决策信息为毕达哥拉斯模糊集的多属性决策问题,提出了一种基于混合加权测度的TOPSIS决策方法。在分析了现有距离测度方法不足的基础上,首先给出了一种新的毕达哥拉斯模糊距离测度——毕达哥拉斯模糊有序加权距离(PFOWD),并研究了该测度权重的确定方法;在PFOWD基础上,进一步提出了毕达哥拉斯模糊混合加权距离(PFHWD),同时探讨了其特征和与现有毕达哥拉斯模糊测度的关系;最后提出了一种基于PFHWD测度的毕达哥拉斯模糊TOPSIS多属性方法,并用实例验证了方法的有效性和可行性。 相似文献
3.
A conformance proportion is an important and useful index to assess industrial quality improvement. Statistical confidence limits for a conformance proportion are usually required not only to perform statistical significance tests, but also to provide useful information for determining practical significance. In this article, we propose approaches for constructing statistical confidence limits for a conformance proportion of multiple quality characteristics. Under the assumption that the variables of interest are distributed with a multivariate normal distribution, we develop an approach based on the concept of a fiducial generalized pivotal quantity (FGPQ). Without any distribution assumption on the variables, we apply some confidence interval construction methods for the conformance proportion by treating it as the probability of a success in a binomial distribution. The performance of the proposed methods is evaluated through detailed simulation studies. The results reveal that the simulated coverage probability (cp) for the FGPQ-based method is generally larger than the claimed value. On the other hand, one of the binomial distribution-based methods, that is, the standard method suggested in classical textbooks, appears to have smaller simulated cps than the nominal level. Two alternatives to the standard method are found to maintain their simulated cps sufficiently close to the claimed level, and hence their performances are judged to be satisfactory. In addition, three examples are given to illustrate the application of the proposed methods. 相似文献
4.
The socio-economic literature has focused much on how overall inequality in income distribution (frequently measured by the Gini coefficient) undermines the “trickle down” effect. In other words, the higher the inequality in the income distribution, the lower is the growth elasticity of poverty. However, with the publication of Piketty’s magnum opus (2014), and a subsequent study by Chancel and Piketty (2017) of evolution of income inequality in India since 1922, the focus has shifted to the income disparity between the richest 1% (or 0.01%) and the bottom 50%. Their central argument is that the rapid growth of income at the top end of millionaires and billionaires is a by-product of growth. The present study extends this argument by linking it to poverty indices in India. Based on the India Human Development Survey 2005–12 – a nationwide panel survey-we examine the links between poverty and income inequality, especially in the upper tail relative to the bottom 50%, state affluence (measured in per capita income) and their interaction or their joint effect. Another feature of our research is that we analyse their effects on the FGT class of poverty indices. The results are similar in as much as direction of association is concerned but the elasticities vary with the poverty index. The growth elasticities are negative and significant for all poverty indices. In all three cases, the disparity between the income share of the top 1% and share of the bottom 50% is associated with greater poverty. These elasticities are much higher than the (absolute) income elasticities except in the case of the poverty gap. The largest increase occurs in the poverty gap squared – a 1% greater income disparity is associated with a 1.24% higher value of this index. Thus the consequences of even a small increase in the income disparity are alarming for the poorest. 相似文献
5.
以人为本的科学发展观必然要求我们在一切发展序列中首先关注人口发展,中国人口发展在中国社会发展框架中具有绝对优先的工具价值和目的意义.中国作为发展中国家与作为人口最多的国家两者之间在很大程度上具有互为因果的内在关系,充分认识中国人口发展现状具有多元化的重要意义.中国人口发展状况主要表现为人口数量多、人口质量低和人口结构不合理.中国人口现代化是中国其它现代化的强力引擎,中国人口发展的基本创新路径是城市化发展路径、市场化发展路径、民主化发展路径. 相似文献
6.
7.
唐应辉 《电子科技大学学报(社会科学版)》1992,(4)
文献[1]讨论了服务台可修的多水平优先权排队的排队指标。本文讨论该系统的可靠性指标。利用文献[3]中的随机序,获得了这些可靠性指标的界值。 相似文献
8.
俞珏 《合肥工业大学学报(社会科学版)》2005,19(5):108-112
文章运用关联理论交际观,以汉语散文名篇中特有的形式量词短语及其英译为研究对象,介绍了汉语特有的形式量词短语,并根据关联理论交际观,从翻译是传递信息意图和交际意图双重目的的认知交际活动的角度来解析散文中形式量词短语及其英译技巧。试图证明关联理论交际观能够指导译者过滤汉语中有文化特异性的语言形式,从而顺利传达出原文作者的交际意图。 相似文献
9.
Mark Carpenter 《Journal of statistical planning and inference》2002,100(2):197-208
In this paper, we study the estimation of the minimum and maximum location parameters, respectively, representing the minimum guaranteed lifetime of series and parallel systems of components, within a general class of scale mixtures. The conditional or underlying distribution has only the primary restriction of being a location-scale family with positive support. The mixing distribution is also quite general in that we only assume that it has positive support and finite second moment. For demonstrative purposes several special cases are highlighted such as the gamma, inverse-Gaussian, and discrete mixture. Various estimators, including bootstrap bias corrected estimators, are compared with respect to both mean-squared-error and Pitman's measure of closeness. 相似文献
10.
词语累赘与信息羡余 总被引:1,自引:0,他引:1
朱楚宏 《长江大学学报(社会科学版)》2002,(6)
信息羡余是语言运用中加强信息传递的手段。信息羡余有两种加强信息的方式 :音节扩充 ,解释性叠加。语病重复是语句结构上的累赘 ,是应该删除的多余成分。保留信息羡余成分是“求繁” ,是信息传递的足量原则在起作用 ;删除累赘是“求简” ,是语言表达的经济原则在起作用 ,如何把握繁简的度 ,是语言规范工作所面临的一个难题。当前 ,语言规范化领域存在打击面过宽的偏向。区别“信息羡余”和“语病重复” ,可以从两方面考虑 :一是凭借人们的语感 ,一是参照表达实际。有时 ,是重复还是羡余 ,分界不是很清楚 相似文献